Matrix Consolidation Profit Center for balance sheet acounts

Hi,
I have a situation within a matrix consolidation setup. Balance sheet items that do not necessarily have profit center assignments do not flow into BCS. I created a condition for Consolidation Profit Center in the Load Data stream method as follows to resolve that issue:
Condition If profit center = initialized (blank)
Move: constant 9999999
Condition: If profit center = 10000000-ZZZZZZZZ
Move: Profit Center.
This is resolved the issue partially. The load program reads the data however also creates a warning message that data records were ignored.
All these ignored data records are a copy of the 99999999 profit center records that have already been read.
I would really appreciate any inputs.
Thanks and Regards,
Pallavi

Pallavi,
I didn't get you.
I meant these Breakdown Types:
0 - No breakdown
1 - Optional breakdown. Initialized value allowed
2 - Required breakdown. If no entry is made, the default value is set.
3 - Required breakdown. The value must be entered; the default value may be entered.
4 - Required breakdown. The value must be entered; the default value may not be entered.
Subassignment are used with items, not with companies or profit centers.
Cannot understand why the role matters.
Please clarify.

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